Balance Sheet Reconciliations Month end reporting- audit fee and legal for instance Primary contact for brands
properly authorised documentation.
provident fund and risk benefits. Tax planning Manage Audits and review AFS Report on finances at board level
controls and keeping quality standards high for audits. Also ensure minimum obsolesce.
accompanied by properly authorised documentation. Ensure auditing, testing, verifying and checking of changes are
and building office files in accordance with POPI Audit lease agreements to ensure rental and recoveries
and BI (Analytics)
·   Perform system audit trails to identify system errors and resolve the
BI (Analytics)
·   Perform system audit trails to identify system errors and resolve the
relating to Partnership Programmes Assist with the audit process planning and tracking for funds Serve as
including management of files in accordance with POPI. ➢Audit lease agreements for to ensure rental and recoveries
including management of files in accordance with POPI. ➢Audit lease agreements for to ensure rental and recoveries